Phillips Edison & Company, Inc.

NASDAQ:PECO

35.81 (USD) • At close January 22, 2025
Overview | Financials

Numbers are in millions (except for per share data and ratios) USD.

20222021202020192018201720162015201420132012
Operating Activities:
Net Income 54.52917.2335.462-72.82646.975-41.7189.04313.561-22.635-12.350
Depreciation & Amortization 231.9217.852221.506232.685187.334128.943103.28298.36776.55429.2420
Deferred Income Tax 0-18.975-11.74663.6220000000
Stock Based Compensation 15.40616.3945.8617.7165.098000000
Change In Working Capital -0.1924.01-15.888-8.357-19.8821.026-3.941-7.499-5.3330.1260.943
Accounts Receivables 000003.59200000
Inventory 00000000000
Accounts Payables 9.9558.508-8.943-13.55-12.5485.4266.841.82911.40913.0150.943
Other Working Capital -10.147-4.498-6.9455.193-7.334-7.992-10.781-9.328-16.742-12.889-0.943
Other Non Cash Items -10.75326.3885.3814.035-66.23420.61-5.3081.64427.0851.522-0.943
Operating Cash Flow 290.89262.902210.576226.875153.291108.861103.076106.07375.67118.540.943
Investing Activities:
Investments In Property Plant And Equipment -104.495-75.035-63.965-75.492-48.98-201.844-227.228-113.012-726.604-767.4130
Acquisitions Net 4.1515.0393.453-11.686-201.673-456.70400000
Purchases Of Investments -3-8.514000000000
Sales Maturities Of Investments 075.0350000000.5200
Other Investing Activites -227.901-177.01616.42151.361-8.21437.7991.0112.23810.312-8.8060
Investing Cash Flow -331.245-180.491-44.09264.183-258.867-620.749-226.217-110.774-715.772-776.2190
Financing Activities:
Debt Repayment -378.92-1,238.71-319.848-349.069-289.879-83.387-110.875-77.324-28.636-78.0890
Common Stock Issued 90.124547.4012552600739.6290.969249.32.5341,586.590
Common Stock Repurchased 0-77.765-5.267-34.675-53.153-46.539-20.301-74.469-3.323-0.8490
Dividends Paid -127.083-106.699-49.331-123.135-80.728-74.198-64.269-59.387-56.612-19.3010
Other Financing Activities 358.054776.959-10.209-33.375586.195-26.096-4.839-8.388281.537-278.0750.2
Financing Cash Flow -57.825-98.819-129.655-280.254162.435509.3890.68529.732195.51,210.280.2
Other Information:
Effect Of Forex Changes On Cash 00000000000
Net Change In Cash -98.18-16.40836.82910.80456.859-2.508-32.45625.031-444.601452.5961.143
Cash At End Of Period 17.349115.529131.93795.10884.3045.7168.22440.6815.649460.250.2